首页 - 基金 - 大成睿享混合C(008270) - 资产配置
大成睿享混合C(008270)资产配置
序号 报告期 股票占净比(%) 债券占净比(%) 现金占净比(%) 净资产(元)
1 2025-12-31 58.91 1.92 39.39 7,828,078,030.31
2 2025-09-30 60.23 2.35 37.67 8,096,496,392.47
3 2025-06-30 60.17 - 25.87 7,805,279,748.75
4 2025-03-31 59.45 0.77 24.62 6,528,696,473.49
5 2024-12-31 59.30 - 40.28 5,887,190,973.26
6 2024-09-30 61.08 4.05 18.61 7,424,472,066.63
7 2024-06-30 61.11 2.63 25.78 6,820,748,818.13
8 2024-03-31 60.85 2.81 24.97 7,095,689,526.51
9 2023-12-31 61.85 3.06 35.13 6,564,727,049.19
10 2023-09-30 61.17 0.01 30.71 7,383,191,878.31
11 2023-06-30 59.42 0.01 31.93 6,709,069,554.26
12 2023-03-31 60.78 4.15 29.65 4,077,394,763.30
13 2022-12-31 63.03 2.50 35.16 3,195,698,434.16
14 2022-09-30 66.91 4.19 15.48 2,382,017,810.19
15 2022-06-30 62.72 4.47 11.25 3,145,750,852.45
16 2022-03-31 65.25 3.96 17.71 1,769,292,983.28
17 2021-12-31 71.62 4.30 24.28 927,791,929.75
18 2021-09-30 83.75 2.48 13.49 803,534,082.11
19 2021-06-30 88.93 0.68 8.75 743,992,541.84
20 2021-03-31 82.62 1.75 16.26 714,456,373.33
21 2020-12-31 86.51 5.27 9.41 993,337,861.82
22 2020-09-30 85.16 5.53 9.54 1,382,412,374.61
23 2020-06-30 68.09 - 32.35 3,978,755,249.99
24 2020-03-31 53.70 - 46.56 4,518,507,102.91
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